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Risk and Analytics Manager, Securities Finance and Clearing Risk

4 months ago


bangalore, India HSBC Full time

Some careers have more impact than others.

 If you’re looking for a career where you can make a real impression, join HSBC and discover how valued you’ll be.

 HSBC is one of the largest banking and financial services organisations in the world, with operations in 62 countries and territories. We aim to be where the growth is, enabling businesses to thrive and economies to prosper, and, ultimately, helping people to fulfil their hopes and realise their ambitions.

 We are currently seeking an experienced professional to join our team in the role of Risk and Analytics, Securities Finance and Clearing Risk- Assistant Vice President 

Principal responsibilities

Help the business to identify and understand key risks in its client portfolio through proactive risk analysis. Help the business develop products/solutions that are both sound from a risk management perspective and attractive to clients. Help the business develop robust margin / risk models and tools through contribution to design and calibration. Minimization, where possible, of credit losses arising from hedge fund defaults. Margin and risk models pass internal validation processes successfully. Develop risk/margining terms that balance the needs of the client with those of HSBC. Keep management aware of key risks within the hedge fund portfolio and help to define an understanding of the appetite for these risks. Work closely with stakeholders in the business, the independent risk function, and internal model review teams to ensure that risk models comply with expectations. Good feedback from stakeholders in Markets, Banking, and independent risk functions. Contribute to success of the business and the Portfolio Management team at both the regional and global level by supporting colleagues and managing global issues on a follow-the-sun basis. Requirements Good quantitative skills, with a particular emphasis on statistical analysis (time series) Strong development skills in relevant languages, in particular Python, and understanding of new technologies, eg machine learning would be an asset. Understanding of how to price and measure the market risk of derivatives contracts, across all asset classes with particular focus on equities and fixed income (rates/credit). Experience working in a market’s environment and knowledge of how markets behave in stressed conditions. Ability to balance quantitative modelling techniques with an overlay of expert judgment. The candidate must have strong communication skills and be able to manage relationships effectively with a range of different stakeholders. The candidate needs to be able to manage time and balance multiple priorities effectively.